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PRACTICAL QUESTIONS




Tally 9

Tally 9 is most useful software to any business Enterprises .Therefor use of Tally 9 is more needful.
For Practice only the questions are held in this book. In this book some name were held the name was
imaginary. It was not responsible them.
Index
     EXCHANGER SERVICES PVT. LTD.
     SAGAR INDUSTRIES LTD.
     JAKHARIA COMPUTER INSTITUTE
     DAIMAND INFRASTURE PVT.LTD
     SAI SERVICE & MOTOR TRADER
     IBM COMPANY
     IBM COMPANY 2
     TDS QUESTIONS
     SERVICE TAX QUESTIONS
     GANESH TECHNOLOGY
Q.1 Exchanger Services Pvt. Ltd.
Crate the following General Ledger with their opening balance and proper Group

         General Ledger Group                         Group                      Op. Bal.    Dr./Cr.
  Capital                              Capital Accounts                           6,25,000   Cr.
  General Reserve                      Reserve & Surplus                            55,000   Cr.
  Capital Reserve                      Reserve & Surplus                            45,000   Cr.
  Profit & Loss A/c                    Primary                                      55,000   Cr.
  O/d At SBI A/CNo.20000456            Bank O/D Accounts                            35,000   Cr.
  Loan from HDFC Bank                  Secured lone                                 50,000   Cr.
  Loan from Balaji Finance             Unsecured loan                               35,000   Cr.
  M/S Genlite                          Sundry Creditor                              40,000   Cr.
  Subham & Sons                        Sundry Creditor                              35,000   Cr.
  Shakati India                        Sundry Creditor                              25,000   Cr.
  Pre-Reserved commission              Current Liabilities                           5,500   Cr.
  Outstanding AM Charges               O/S Exp.(Current Liabilities)                 6,000   Cr.
  Building                             Fixed Asset                                2,00,000   Dr.
  Machinery                            Fixed Asset                                1,50,000   Dr.
  Debenture at ABN Amro                Investment                                   55,000   Dr.
  Modern Trader                        Sundry Debtors                               30,000   Dr.
  Bering & Spears                      Sundry Debtors                               25,000   Dr.
  Agrawal & Sons                       Sundry Debtors                               45,000   Dr.
  Cash                                 Cash in Hand                                 60,000   Dr.
  SBI AC NO.2200458                    Bank Account                               3,25,000   Dr.
  Prepaid Rent                         Others current Asset (Current Asset)          6,500   Dr.
Note: RS.1, 15,000/- will be the difference in balance sheet as on 01/04/2006 due to undeclared Closing Stock.


Q.2 Sagar Industries Ltd.


1. Create a Company as “Sagar Industries Ltd.” in Tally with inventory management.

2. Pass the following Entries:-

   Sagar started “Sagar Industries Ltd.” by bringing Capital Rs.5, 50,600/- Cash. On 1 APRIL 2009.

          A) He deposited Rs.3, 75,000/- cash at ICICI bank. ON 3 APRIL 2009.

          B) He paid electricity bill for Rs.1, 200/- by cash. ON 14 APRIL 2009.

          C) He had withdrawn Rs.10, 000/- cash for his personal use ON 16 APRIL 09.

          D) He purchased the following item from Computer Lab. Ltd. on credit with 4% Vat rate. On date 16 April
             2009.
                    Computer - 10 Nos. - @20000/- each (Bill No:AS12)
                    Mouse - 20 Nos. - @ 175/- each (Bill No:AD2)
                    Sound Card – 10 Nos. @2000/- each (Bill No:G001)
                    2 GB RAM – 12 Nos. @1890/- each (Bill No:H154)
                    Speakers – 5 Set @2000/- each (Bill No:L45)
                    LCD Monitors – 16 Nos. @5400/-each (Bill No:KG541)
                    Keyboard – 18 Nos. @510/- each (Bill No:KD12)

          E) He made Following Payments on date 29 April 2009 to Computer Lab. Ltd.

                Bank For RS 2,22,680 For (Bill No:AS12, AD2, G001)
                Cash For RS 1,43,150 For (Bill No:G001, H154, KD12, KG541, L45)
E) He sold the following item to Somnath Traders in cash with 4% Vat rate. On date 30 April 2009
            Computer – 5Nos. - @27500/- each
            2 GB RAM – 5Nos. @2000/- each
            Mouse – 2Nos. @200/- each

     F) He Sold the 2 set of speakers & 10 Nos. Of LCD Monitors worth RS 4200/- & RS 57000/- res. on
     date 29 April 2009 to Crack My PC

     G) He received Rs.6, 000 /- as commission from Rohit by cash.

     H) He paid House Rent for Rs.5, 000 /- by cash.

     I) He withdrew Rs.25, 000 /- cash from ICICI Bank.

     J) He purchased furniture for Rs.25, 000 /- by cash for office use.

3. Show the Trial Balance and Balance Sheet of “Sagar Industries Ltd.”

4. Show the Vat Computation report of the above company.

5. Show the Cash Book & Bank Book of the company.

6. Show the Day Book.
Q.3 JAKHARIA COMPUTER INSTITUTE

1. Create a Company as “JAKHARIA COMPUTER INSTITUTE” in Tally with inventory management.

2. Pass the following Entries:-

     A) Enter the following Purchase Order
B) Enter the following Sales Order
C) Enter the following DEBIT & CREDIT NOTE Order
Q.4 DAIMAND INFRASTURE PVT.LTD
   A) Enter The Following Payment Details For Particular Employee’s




       EMP NO        DEPARTMENT                NAME                    POST     BASIC
        001        SALES               RAAJKUMAR SHARMA           MANAGER       20,000
        002        PURCHASE            GANESH DUMPE               STAFF          4,500
        003        SALES               SAGAR SHEETY               SUPERVISOR     7,500
        004        PURCHASE            SURAJ VARMA                MANAGER       20,000
        005        OFFICE              DENESH CHOWGULE            STAFF          4,500
        006        STORAGE             VEKARAM BOGALE             KEEPER         3,500
        007        COMMERCIAL          GOPAL DADE                 SUPERVISOR     7,500
        008        COMMERCIAL          YURAJ AANAD                ACCOUNTANTS   10,000
        009        PURCHASE            RAJ GANDHI                 PEON           2,000
010      SALES                VIRAJ DESAI                 STAFF                4,500
          011      CANTEEN              RAMU DUBE                   WORKER               1,500
          012      PURCHASE             ASHOK DINDAYA               PEON                 2,000
          013      CANTEEN              SHAMU DUBE                  WORKER               1,500
          014      SALES                AANADA KUMAR                PEON                 2,000
          015      OFFICE               AKASHY JEETLI               PEON                 2,000
          016      STORAGE              DAVID HANDE                 KEEPER               3,500
          017      PURCHASE             SAVRAV NAIK                 STAFF                4,500
          018      STORAGE              PRASAD KURJE                WORKER               1,500
          019      PURCHASE             ROHIT WAGALE                STAFF                4,500
          020      COMMERCIAL           AMEYA HADE                  ACCOUNTANTS         10,000
          021      CANTEEN              YOGESH GOSAMI               WORKER               1,500
          022      SALES                RAHUL PANCHAL               STAFF                4,500
          023      OFFICE               SAWPANIL DAVE               STAFF                4,500
          024      PURCHASE             PANKAJ BHORI                SUPERVISOR           7,500
          025      STORAGE              AAKASH BAWKAR               KEEPER               3,500
          026      COMMERCIAL           PRATIK BARJE                ACCOUNTANTS         10,000
          027      OFFICE               ASHWIN TAMBE                MANAGER             20,000




Q.5 Sai Service & Motor Trader
Prepare the required ledgers, stock Group, category, and items and pass the following Taking following
consideration.

UNDER MARUTI COMPANY: MARUTI 800, ZEN, ESSTEM, AND BALENO

UNDER HYUNDAI COMPANY: ASCENT, HYUNDAI, DELUXE, AND HYUNDAI REGURLAR

UNDER PRIMIERE COMPANY: FIAT, UNO, AND SIENA

UNDER HINDUSTAN COMPANY: AMBASSIDOR, AND CONTESSA
LEDGER
                              NAME: RAMESH MOTORS
                              UNDER: SUNDRY CREDITOR
                              NAME: SALES TAX
                              UNDR: DUTIES & TAXES
                              CALCULAT 4% ON TOTAL SALE



                                            PAYMENT

BY HYUNDAI COMPANY A/C        5,91,250                            Calculation
      TO Cash A/c                5,08,750       11,00,000 Total amount
      To Discount Recd. A/c       82,500        -82,000 Discount 7.5%
                                                10,17,500 Balance & 5,08,750 50% paid


                                            Receipt

TO DHRUV MOTOR A/c          7,85,906                                Calculation
    By Cash A/c              6,72,281            10,10,000 Total amount
    By Discount Allowed A/c 1,13,625             -1,13,625 Discount 11.25%
                                                       8,96,375 Balance & 6,72,281 75% paid
Q.6 IBM Company
               3RD FLOOR, J.B NAGAR, R.A.ROAD, DADAR EAST, MUMBAI 400004

CAPITAL ACCOUNTS OF COMPANY-: GANESH CAPITAL:-1,00,000/-

                                    NARESH CAPITAL:-1,00,000/-

ICICI BANK:- BALANCE RS 40,000/- A/C NO:-2000598755, DADAR EAST, MUMBAI 400004

 ACCOUNTING VOUCHERS-
  PURCHASES FROM FOLLOWING PARTY
             DATE     BILL NO             SUNDRY CREDITOR          AMOUNT
           01/04/2009     005     RAM & COMPANY                         5,000
           02/04/2009     750     NIL KAMAL                             6,000
           12/04/2009     950     SHUBHANGI ENTERPRISES                 5,000
           10/04/2009     444     PRATHAM GUIDE                        11,500
           09/04/2009     A14     SURESH & BROTHERS                    12,000
           06/04/2009     112     RAJESH GROUP OF COMPANY               7,000
           20/04/2009     169     KRISHNA                              10,000
           25/04/2009     130     RAGHU GROUP                          15,000
           15/04/2009     007     RAJESH GROUP OF COMPANY              20,000
           15/04/2009     059     RAM & COMPANY                         5,000
           20/04/2009     A50     NIL KAMAL                            17,000
           20/04/2009     119     VIBHOR                               12,000
                                  TOTAL                              1,25,500
SALES TO FOLLOWING PARTY

                 DATE        BILL NO            SUNDRY DEBITOR                  AMOUNT
              01/04/2009       102      INFOTECH COMPANY                       2000
              05/04/2009       103      JAIN COMPANY                           10000
              06/04/2009       104      RAJAT                                  5000
              10/04/2009       105      RAJ & BROTHERS                         9000
              10/04/2009       106      SANDY LTD.                             7500
              15/04/2009       107      NILKHANTH ENTERPRISES                  6000
              17/04/2009       108      KISHOR ENTERPRISES                     5000
              18/04/2009       109      VAIBHAV COMPANY                        12000
              18/04/2009       110      PATHAK BROTHERS                        18000
              20/04/2009       111      S.S COMPANY                            900
              20/04/2009       112      J.K SHAH                               500
              21/04/2009       113      CITI POINT                             700
              25/04/2009       114      JAIN COMPANY                           5000
              30/04/2009       115      INFOTECH COMPANY                       4000
                                        TOTAL                                  85600

FOLLOWING CONTRA TRANSACTION

        o   Cash Deposit In lClCl Bank RS. 50000/- on dated - 5'" April 2009
        o   Withdraw RS .1500/- From Bank - On 7April 2009
        o   Deposited Cash RS. 5000 - On 7April 2009
        o   Cash Deposit in Bank 12000/- on 9th April 2009

FOLLOWING RECEIPT TRANSACTION

  o Cash Received From Jain Company RS. 10000/- For Against Reference Bill No Is 103 on dated 2"'
May 2009
o   Cash Received By Bank Rs. 6000/- From InfoTech For Bill No. 102 & 115 31d May 2009
  o   Received cheque from Kishor Enterprises 5000/- 28 April 2009 'Bill no. 108'
  o   Received Cash S.S Company 900/- on 22 April 2009 'Bill no. 111'.
  o   Cash Received from Citi Point RS. 700/- 22 April 2009 'Bill no. 113'


FOLLOWING PAYMENT TRANSACTION

  o Cash Paid By Bank to Nil Kamal 15000/- on dated 25 April 2009 'bill no. A50'
  o Paid Cheque To Rajesh Group of Company RS 7000/- on dated 10th April 2009 'bill no. 112'
  o Paid Cash To Raghu Group 15000/- on dated 30 April 2009 'Bill no.130'

          Ledger             Accounting Vouchers For Purchase (F9)
Name: Purchase
Under: Purchase A/C                                     Dr.      Cr.
                          DR. Purchase                  5000
Name: Ram & Company       CR. Ram & Company                      5000
Under: Sundry Creditor


          Ledger              Accounting Vouchers For Sales (F8)

Name: Sales

Under: Sales A/C                                       Dr.         Cr.

                          dr. Infotech Co.             5000

Name: INFOTECH            cr. sales
COMPANY                                                       5000
Under: Sundry Debtors




Ledger                              Accounting Vouchers For Capital (F6)

Name: Naresh Capital                                         Dr.            Cr.

Under: Capital A/C       Cr. Naresh Capital                                 100000

                         Cr. Genesh Capital                                 100000

Name: Genesh Capital

Under: Capital A/C       Dr. Cash                            20000




Q.7 IBM Company 2


INVENTORY INFO

 No        Stock Items       Groups            Qty.      RATE        UNIT         AMOUNT
1 Dell mouse                     MOUSE           25            170        Nos.        4250
   2 Microsoft mouse                MOUSE           30            130        Nos.        3900
   3 Dell monitor               MONITOR              5            7000       Nos.       35000
   4 Dell Keyboard             KEYBOARD             10            150        Nos.        1500



    5   LG monitor                   MONITOR                7          8000      Nos.    56000
    6   LG mouse                      MOUSE                20           155      Nos.     3100
    7   LG Keyboard                 KEYBOARD               15           130      Nos.     1950
    8   Microsoft Keyboard          KEYBOARD               45           200      Nos.     9000
    9   I Ball mouse                  MOUSE                15           250      Nos.     3750
   10   I Ball Keyboard             KEYBOARD               20           300      Nos.     6000
   11   I Ball monitor               MONITOR               35          9000      Nos.   315000
   12   CDR Samsung                    CD                  50            8       Nos.      400
   13   CDR Moser Baer                 CD                  50           35       Nos.     1750
                                                                           TOTAL        441600


PURCHASE FROM FOLLOWING (F9)

  1. From Ram & Company Bill no: B009 5th May
                              Qty.       Stock Items            RATE
                               10     Microsoft mouse           135
                                5     Microsoft Keyboard        200
                                5     Microsoft monitor         6000

  2. From VIBHOR COMPANY BILL NO-11501 7th MAY
Qty.       Stock Items      RATE
                                  10    LG mouse             155
                                  15    LG Keyboard          130
                                  5     LG monitor           8000




SALES FROM FOLLOWING (F8)

 1. Sales to INFOTECH COMPANY Bill no: 116 on 10th May
                             Qty.        Stock Items         RATE
                                  35    Microsoft mouse      140
                                  5     Microsoft Keyboard   225
                                  5     Microsoft monitor    700

 2. Sales To Nilkanth Enterprises Bill no: 117 on 10th May
                                 Qty.        Stock Items     RATE
                                  15    I Ball mouse         300
                                  20    I Ball Keyboard      335
                                  35    I Ball monitor       9500

Receipts Entry (F6)

     RECEIVED CASH FROM NILKANTH FULL AMOUNT ON 27TH May FOR AGST REFERNCE Bill
      NO.117 RS.6000/-
Payment Entry (F5)

   PAID CASH TO RAM & COMPANY FOR BILLS AMOUNT RS.10000/ ON 28 TH MAY FOR
AGST Reference’s NO.009
   PAID CHEQ BY BANK TO VIBHOR Company FOR BILLS AMOUNT RS.12000/ AGST
    REFERNCE BILL no.119 on 29th MAY




Q.8 TDS QUESTIONS


Q.1 Payable Rs.800000/- to Mr. XYZ on A/C of interest on Securities (New Ref is 552) As interest on Securities
(New Ref is 301)

Q.2 Payable Rs.73000/- to Mr. Ramlal on A/C of Commission or Brokerage (New Ref is 985) As Commission Or
Brokerage (New Ref is 754)

Q.3 Payable Rs.65000/- to Mr. Dinesh on A/C of Insurance Commission (New Ref is 696) As Insurance
Commission (New Ref is 100)

Q.4 Payable Rs.800/- to Mr. Ram on A/C of Commission on Sale Of Lottery Tickets (New Ref is 542) As interest on
Securities (New Ref is 650)

Q.5 Pay to Rs.785000/- to Mr. Gopal to Fess for Professional (New Ref is 821) As Fess for Professional (New Ref
is 051)

Q.6 Payable Rs.8000/- to Mr. WATT on A/C of Technical Services (New Ref is 002) As Technical Services (New Ref
is 351)

Q.7 Payable Rs.75000/- to Mr. Chinmay on for Rent of Building (New Ref is S222) As Rent of Building (New Ref is
991)
Q.8 Rs.800000/- wining from Horse Race (New Ref is 1102) As wining from Horse Race (New Ref is 4201)

Q.9 Rs.1000/- Winning from Crossword Puzzle (New Ref is 8552) As Winning from Crossword Puzzle (New Ref is
7871)

Q.10 Rs.75000/- Payable for Rent on Plant, Machinery & Equipment (New Ref is 5692) As Rent on Plant,
Machinery & Equipment (New Ref is 3781)

Q.11 Payable Rs.78500/- As Payment For Compensation (New Ref is 7841)

Q.12 Payable Rs.20000/- to Mr. Zandu (New Ref is 02) As Payment to Sub-Contractor (New Ref is 31)

Q.13 Rs.800000/- Payable TO Payment To Advertisement Contractor (New Ref is 32) As Payment to Contractor
(New Ref is 311)

Q.14 Rs.44000/- Payments to Non-Resident Sportsmen & Rs.78000 For Sports Association (New Ref is A2) &
(New Ref is A52)

Q.15 Rs.6500/- to Mr. ABC For Payment in Deposits Under NSS (New Ref is S72) As Payment in Deposits Under
NSS (New Ref is 871)

Q.16 Rs.200000/- is Income from Foreign Currency Bonds (New Ref is F789)




Q.9 SERVICE TAX QUESTIONS


     12.5% SERVICE TAX APPLICABLE FOR FEES OF FOLLOWING STUDENTS OF “MAXIMAX COMPUTER
                                          CLASSES”

          SR NO              NAME                     DATE           COURSE             FEES
1    RAAJKUMAR SHARMA   11-04-2012   MS-CIT   2310 RS/-

2    GANESH DUMPE       29-04-2012    DTP     8000 RS/-

3    SAGAR SHEETY       13-04-2012    C++     3500 RS/-

4    SURAJ VARMA        02-05-2012   MS-CIT   2310 RS/-

5    DENESH CHOWGULE    05-05-2012   TALLY    3000 RS/-

6    VEKARAM BOGALE     16-04-2012   TALLY    3000 RS/-

7    GOPAL DADE         12-04-2012   MS-CIT   2310 RS/-

8    YURAJ AANAD        19-04-2012   TALLY    3000 RS/-

9    RAJ GANDHI         14-04-2012    DTP     8000 RS/-

10   VIRAJ DESAI        20-04-2012   TALLY    3000 RS/-

11   RAMU DUBE          21-04-2012   TALLY    3000 RS/-

12   ASHOK DINDAYA      22-04-2012   MS-CIT   2310 RS/-

13   SHAMU DUBE         18-04-2012    C++     3500 RS/-

14   AANADA KUMAR       19-04-2012   TALLY    3000 RS/-

15   AKASHY JEETLI      19-04-2012   MS-CIT   2310 RS/-

16   DAVID HANDE        20-04-2012    DTP     8000 RS/-

17   SAVRAV NAIK        15-04-2012   TALLY    3000 RS/-

18   PRASAD KURJE       14-04-2012    C++     3500 RS/-
19   ROHIT WAGALE      17-04-2012    DTP     8000 RS/-

20   AMEYA HADE        20-04-2012   MS-CIT   2310 RS/-

21   YOGESH GOSAMI     04-05-2012    C++     3500 RS/-

22   RAHUL PANCHAL     25-04-2012   TALLY    3000 RS/-

23   SAWPANIL DAVE     05-05-2012    C++     3500 RS/-

24   PANKAJ BHORI      30-04-2012   MS-CIT   2310 RS/-

25   AAKASH BAWKAR     01-05-2012    DTP     8000 RS/-

26   PRATIK BARJE      13-04-2012   MS-CIT   2310 RS/-

27   ASHWIN TAMBE      03-05-2012   TALLY    3000 RS/-

28   SAMMER PATIL      12-04-2012    C++     3500 RS/-

29   ROHAN POTDAR      15-04-2012    DTP     8000 RS/-

30   SACHIN DESPANDE   06-05-2012   MS-CIT   2310 RS/-
Q.10 M/S GANESH TECHNOLOGY



                               BALANCE SHEET AS ON 31-05-2005
           LIABILITIES        AMT      TOTEL             ASSECTS            AMT       TOTEL
    CAPITAL ACCOUNT                   150000/- FIXED ASSECTS                           72000/-
    GANESH                    75000/-          OFFICE EQUIPMENT             32000/-
    SHANKAR                   75000/-          FURNITURE                    40000/-

    LOAN & LIABILITIES                  100000/- INVESTMENT                            28000/-
    CITY BANK                 50000/-            SHARE IN ICICI             14000/-
    MOHAN                     50000/-            SHARE IN HDFC              14000/-

    CURRENT LIABILITIES                 113310/- CURRENT ASSETS                       263310/-
    SUNDRY CREDITOR A        101340/-            STOCK                     134420/-
    UNPAID EXPENSES           11970/-            SUNDRY DEBTORS C           88850/-
                                                 CASH IN HAND                8528/-
                                                 BANK A/C D                 31512/-


                  UNPAID EXPENSES                       BANK ACCOUNTS

      TELEPHONE EXPENSES     8370.00             STATE BANK OF INDIA    9828.00

      ELECTRICITY EXPENSES   3600.00 11970.00          ICICI BANK      21684.00   31512.00
Opening Stock
             Stock Items               Qty.   Rate   Amount     Total
Floppy Disk                                                    15123
Sony 1.44 MB                            15    210      3150
Sony 1.2 MB                              8    185      1480
Maxcell 1.44 MB                         14    212      2968
Maxcell 1.2 MB                           6    191      1146
Verbatim 1.44 MB                        18    215      3870
Verbatim 1.2 MB                         13    193      2509

Mouse                                                          14950
Logitech                                20    590     11800
Genius                                  15    210      3150

Monitor                                                        54182
Microtech                                4    9025    36100
Samtron                                  1    8982     8982
L.G                                      1    9100     9100

Keyboard                                                        9525
Chiconi                                 15    635      9525

CPU                                                           154500
Pentium 3                                2    3500     7000
Pentium 4                                3    4500    13500
Intel Core 2 Due                         5    5500    27500
Intel i3                                 7    6500    45500
Intel i5                                 6    7500    45000
Intel i7                                 2    8000    16000

Compact Disc (CD)                                               5830
Sony Writable                          100     15      1500
Sony Re-Writable                        50     50      2500
HP Re-Writable                                          15                 72          1080
Mosabear                                                75                 10           750


Enter the Following Purchase Transition into M/s Ganesh & Technology

  Date                                             Particular
02-Dec-05 Purchase 20 Boxes of 1.44 MB Sony floppy @ RS.215 each from Navjot Enterprises Vide Bill
          No. 4304 amounting RS.4300/-

02-Dec-05 Purchase 3 CPU of Pentium 4 @ RS.4700 each from M/s Jadeja & company Vide Bill
          No.24920 amounting RS.14100/-

03-Dec-05 50 CD's OF HP Writable Purchased form M/S Nayab Trade Links @ RS.10/- Each As Bill No.
          18719 RS.500/-

03-Dec-05 Purchase From Azhar Softech Pvt. Ltd. As Per Bill No.13628 Amounting TO RS.5340/- the
          item Included were 15 BOX OF Maxcell 1.44 MB Floppy @ RS.212/- boxes of Verbatim 1.44
          floppy RS.216/- per box.


Enter the Following Sales Transition into M/s Ganesh & Technology

   Date        Bill     Party Name               Item               Qty.        Rate          Amt.
               No
 02-Dec-05    1101    Khanna Brothers      Logitech Mouse           15          650           9750
 02-Dec-05    1102    Kapoor Tech Pvt.   Sony 1.44 MB Floppy        10          240           2400
                           Ltd.
                                         Sony 1.2 MB Floppy         5           210           1050
                                          Verbatim 1.44 MB          15          250           3750
                                               Floppy
                                          Verbatim 1.2 MB            5          215           1075
                                               Floppy
02-Dec-05   1103    Dev Enterprises     Microtech Monitor           2         10900        21800
      03-Dec-05   1104    Shahrukh Impex          Pentium 3               2          4000         8000
                                                   Intel i5               2          8000        16000


    Enter the Following Receipt Transition into M/s Ganesh & Technology

Date         Particulars
04-12-2005   Received Cash RS.13210/- From Dev Enterprises Against Bill No 1124
04-12-2005   Received a cheque From Amitabh Corporation Against Bill No 1020,1029,1068 the Same Deposited into Bank
05-12-2005   Deposited into State Bank of India a cheque Of RS.20000/- Received From Khanna Brothers On Account
             1048,1064 And Balance Amount Is Discount Received
05-12-2005   Received cash From Kapoor Tech Pvt. Ltd. RS.8275/- Against Bill No 1102 of 02/12/2005


    Enter the Following Payment Transition into M/s Ganesh & Technology

    Date           Particulars
    04-12-2005     Issued cheque No.24/2218 of RS. 19242/- from ICICI Bank is favor of M/S Sachin Traders Against
                   Bill no 1398,1421,1434,&1636
    04-12-2005     Paid Cash RS.257/- To Suresh Tea & Snacks For Staff
    05-12-2006     Paid Cash RS.15000/- to Ganguly Technology is Settlements of their Account
    05-12-2007     Issued Cheque.2412219 of Rs.20000/- from ICICI Bank in Favor of M/S Kumble Trader Advance Of
                   10 Monitors


    Enter the Following Contra Transition

    Date           Particulars
    04-12-2005     Deposited Cash RS.5000/- into State Bank of India
    04-12-2005     Withdraw Cash Rs.1000/- From ICICI Bank
05-12-2005      Transferred a sum Of RS.30000/- from State Bank of India To ICICI Bank Cheque No. 382101




   Enter the Following Transition

Date         Particulars

29-12-2005   Credit Note No.001 Amounting to RS.480/- issued for 2 Sony 1.44 MB Floppy Boxes Returned by Kapoor
             Techno Ltd Sold 2 RS.240/- cash Vide Sales Bill 1102
29-12-2005   Debit Note NO. 01/2005 Amounting To RS 430/- issued for return of Boxes of 1.44 MB Sony Floppy Boxes To
             Navjot Enterprises Which Was Purchased @ RS.215/- per box as per their Bill no 4121 on 2nd Dec 2004
29-12-2005   Commission note no 109 issued by M/S Karan Enterprises for RS.1250/- accepted by Us. He Will Pay After
             15 days

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Tally assingment book

  • 1. PRACTICAL QUESTIONS Tally 9 Tally 9 is most useful software to any business Enterprises .Therefor use of Tally 9 is more needful. For Practice only the questions are held in this book. In this book some name were held the name was imaginary. It was not responsible them.
  • 2. Index  EXCHANGER SERVICES PVT. LTD.  SAGAR INDUSTRIES LTD.  JAKHARIA COMPUTER INSTITUTE  DAIMAND INFRASTURE PVT.LTD  SAI SERVICE & MOTOR TRADER  IBM COMPANY  IBM COMPANY 2  TDS QUESTIONS  SERVICE TAX QUESTIONS  GANESH TECHNOLOGY
  • 3. Q.1 Exchanger Services Pvt. Ltd. Crate the following General Ledger with their opening balance and proper Group General Ledger Group Group Op. Bal. Dr./Cr. Capital Capital Accounts 6,25,000 Cr. General Reserve Reserve & Surplus 55,000 Cr. Capital Reserve Reserve & Surplus 45,000 Cr. Profit & Loss A/c Primary 55,000 Cr. O/d At SBI A/CNo.20000456 Bank O/D Accounts 35,000 Cr. Loan from HDFC Bank Secured lone 50,000 Cr. Loan from Balaji Finance Unsecured loan 35,000 Cr. M/S Genlite Sundry Creditor 40,000 Cr. Subham & Sons Sundry Creditor 35,000 Cr. Shakati India Sundry Creditor 25,000 Cr. Pre-Reserved commission Current Liabilities 5,500 Cr. Outstanding AM Charges O/S Exp.(Current Liabilities) 6,000 Cr. Building Fixed Asset 2,00,000 Dr. Machinery Fixed Asset 1,50,000 Dr. Debenture at ABN Amro Investment 55,000 Dr. Modern Trader Sundry Debtors 30,000 Dr. Bering & Spears Sundry Debtors 25,000 Dr. Agrawal & Sons Sundry Debtors 45,000 Dr. Cash Cash in Hand 60,000 Dr. SBI AC NO.2200458 Bank Account 3,25,000 Dr. Prepaid Rent Others current Asset (Current Asset) 6,500 Dr.
  • 4. Note: RS.1, 15,000/- will be the difference in balance sheet as on 01/04/2006 due to undeclared Closing Stock. Q.2 Sagar Industries Ltd. 1. Create a Company as “Sagar Industries Ltd.” in Tally with inventory management. 2. Pass the following Entries:- Sagar started “Sagar Industries Ltd.” by bringing Capital Rs.5, 50,600/- Cash. On 1 APRIL 2009. A) He deposited Rs.3, 75,000/- cash at ICICI bank. ON 3 APRIL 2009. B) He paid electricity bill for Rs.1, 200/- by cash. ON 14 APRIL 2009. C) He had withdrawn Rs.10, 000/- cash for his personal use ON 16 APRIL 09. D) He purchased the following item from Computer Lab. Ltd. on credit with 4% Vat rate. On date 16 April 2009.  Computer - 10 Nos. - @20000/- each (Bill No:AS12)  Mouse - 20 Nos. - @ 175/- each (Bill No:AD2)  Sound Card – 10 Nos. @2000/- each (Bill No:G001)  2 GB RAM – 12 Nos. @1890/- each (Bill No:H154)  Speakers – 5 Set @2000/- each (Bill No:L45)  LCD Monitors – 16 Nos. @5400/-each (Bill No:KG541)  Keyboard – 18 Nos. @510/- each (Bill No:KD12) E) He made Following Payments on date 29 April 2009 to Computer Lab. Ltd.  Bank For RS 2,22,680 For (Bill No:AS12, AD2, G001)  Cash For RS 1,43,150 For (Bill No:G001, H154, KD12, KG541, L45)
  • 5. E) He sold the following item to Somnath Traders in cash with 4% Vat rate. On date 30 April 2009  Computer – 5Nos. - @27500/- each  2 GB RAM – 5Nos. @2000/- each  Mouse – 2Nos. @200/- each F) He Sold the 2 set of speakers & 10 Nos. Of LCD Monitors worth RS 4200/- & RS 57000/- res. on date 29 April 2009 to Crack My PC G) He received Rs.6, 000 /- as commission from Rohit by cash. H) He paid House Rent for Rs.5, 000 /- by cash. I) He withdrew Rs.25, 000 /- cash from ICICI Bank. J) He purchased furniture for Rs.25, 000 /- by cash for office use. 3. Show the Trial Balance and Balance Sheet of “Sagar Industries Ltd.” 4. Show the Vat Computation report of the above company. 5. Show the Cash Book & Bank Book of the company. 6. Show the Day Book.
  • 6. Q.3 JAKHARIA COMPUTER INSTITUTE 1. Create a Company as “JAKHARIA COMPUTER INSTITUTE” in Tally with inventory management. 2. Pass the following Entries:- A) Enter the following Purchase Order
  • 7.
  • 8. B) Enter the following Sales Order
  • 9. C) Enter the following DEBIT & CREDIT NOTE Order
  • 10. Q.4 DAIMAND INFRASTURE PVT.LTD A) Enter The Following Payment Details For Particular Employee’s EMP NO DEPARTMENT NAME POST BASIC 001 SALES RAAJKUMAR SHARMA MANAGER 20,000 002 PURCHASE GANESH DUMPE STAFF 4,500 003 SALES SAGAR SHEETY SUPERVISOR 7,500 004 PURCHASE SURAJ VARMA MANAGER 20,000 005 OFFICE DENESH CHOWGULE STAFF 4,500 006 STORAGE VEKARAM BOGALE KEEPER 3,500 007 COMMERCIAL GOPAL DADE SUPERVISOR 7,500 008 COMMERCIAL YURAJ AANAD ACCOUNTANTS 10,000 009 PURCHASE RAJ GANDHI PEON 2,000
  • 11. 010 SALES VIRAJ DESAI STAFF 4,500 011 CANTEEN RAMU DUBE WORKER 1,500 012 PURCHASE ASHOK DINDAYA PEON 2,000 013 CANTEEN SHAMU DUBE WORKER 1,500 014 SALES AANADA KUMAR PEON 2,000 015 OFFICE AKASHY JEETLI PEON 2,000 016 STORAGE DAVID HANDE KEEPER 3,500 017 PURCHASE SAVRAV NAIK STAFF 4,500 018 STORAGE PRASAD KURJE WORKER 1,500 019 PURCHASE ROHIT WAGALE STAFF 4,500 020 COMMERCIAL AMEYA HADE ACCOUNTANTS 10,000 021 CANTEEN YOGESH GOSAMI WORKER 1,500 022 SALES RAHUL PANCHAL STAFF 4,500 023 OFFICE SAWPANIL DAVE STAFF 4,500 024 PURCHASE PANKAJ BHORI SUPERVISOR 7,500 025 STORAGE AAKASH BAWKAR KEEPER 3,500 026 COMMERCIAL PRATIK BARJE ACCOUNTANTS 10,000 027 OFFICE ASHWIN TAMBE MANAGER 20,000 Q.5 Sai Service & Motor Trader Prepare the required ledgers, stock Group, category, and items and pass the following Taking following consideration. UNDER MARUTI COMPANY: MARUTI 800, ZEN, ESSTEM, AND BALENO UNDER HYUNDAI COMPANY: ASCENT, HYUNDAI, DELUXE, AND HYUNDAI REGURLAR UNDER PRIMIERE COMPANY: FIAT, UNO, AND SIENA UNDER HINDUSTAN COMPANY: AMBASSIDOR, AND CONTESSA
  • 12.
  • 13.
  • 14. LEDGER NAME: RAMESH MOTORS UNDER: SUNDRY CREDITOR NAME: SALES TAX UNDR: DUTIES & TAXES CALCULAT 4% ON TOTAL SALE PAYMENT BY HYUNDAI COMPANY A/C 5,91,250 Calculation TO Cash A/c 5,08,750 11,00,000 Total amount To Discount Recd. A/c 82,500 -82,000 Discount 7.5% 10,17,500 Balance & 5,08,750 50% paid Receipt TO DHRUV MOTOR A/c 7,85,906 Calculation By Cash A/c 6,72,281 10,10,000 Total amount By Discount Allowed A/c 1,13,625 -1,13,625 Discount 11.25% 8,96,375 Balance & 6,72,281 75% paid
  • 15. Q.6 IBM Company 3RD FLOOR, J.B NAGAR, R.A.ROAD, DADAR EAST, MUMBAI 400004 CAPITAL ACCOUNTS OF COMPANY-: GANESH CAPITAL:-1,00,000/- NARESH CAPITAL:-1,00,000/- ICICI BANK:- BALANCE RS 40,000/- A/C NO:-2000598755, DADAR EAST, MUMBAI 400004  ACCOUNTING VOUCHERS- PURCHASES FROM FOLLOWING PARTY DATE BILL NO SUNDRY CREDITOR AMOUNT 01/04/2009 005 RAM & COMPANY 5,000 02/04/2009 750 NIL KAMAL 6,000 12/04/2009 950 SHUBHANGI ENTERPRISES 5,000 10/04/2009 444 PRATHAM GUIDE 11,500 09/04/2009 A14 SURESH & BROTHERS 12,000 06/04/2009 112 RAJESH GROUP OF COMPANY 7,000 20/04/2009 169 KRISHNA 10,000 25/04/2009 130 RAGHU GROUP 15,000 15/04/2009 007 RAJESH GROUP OF COMPANY 20,000 15/04/2009 059 RAM & COMPANY 5,000 20/04/2009 A50 NIL KAMAL 17,000 20/04/2009 119 VIBHOR 12,000 TOTAL 1,25,500
  • 16. SALES TO FOLLOWING PARTY DATE BILL NO SUNDRY DEBITOR AMOUNT 01/04/2009 102 INFOTECH COMPANY 2000 05/04/2009 103 JAIN COMPANY 10000 06/04/2009 104 RAJAT 5000 10/04/2009 105 RAJ & BROTHERS 9000 10/04/2009 106 SANDY LTD. 7500 15/04/2009 107 NILKHANTH ENTERPRISES 6000 17/04/2009 108 KISHOR ENTERPRISES 5000 18/04/2009 109 VAIBHAV COMPANY 12000 18/04/2009 110 PATHAK BROTHERS 18000 20/04/2009 111 S.S COMPANY 900 20/04/2009 112 J.K SHAH 500 21/04/2009 113 CITI POINT 700 25/04/2009 114 JAIN COMPANY 5000 30/04/2009 115 INFOTECH COMPANY 4000 TOTAL 85600 FOLLOWING CONTRA TRANSACTION o Cash Deposit In lClCl Bank RS. 50000/- on dated - 5'" April 2009 o Withdraw RS .1500/- From Bank - On 7April 2009 o Deposited Cash RS. 5000 - On 7April 2009 o Cash Deposit in Bank 12000/- on 9th April 2009 FOLLOWING RECEIPT TRANSACTION o Cash Received From Jain Company RS. 10000/- For Against Reference Bill No Is 103 on dated 2"' May 2009
  • 17. o Cash Received By Bank Rs. 6000/- From InfoTech For Bill No. 102 & 115 31d May 2009 o Received cheque from Kishor Enterprises 5000/- 28 April 2009 'Bill no. 108' o Received Cash S.S Company 900/- on 22 April 2009 'Bill no. 111'. o Cash Received from Citi Point RS. 700/- 22 April 2009 'Bill no. 113' FOLLOWING PAYMENT TRANSACTION o Cash Paid By Bank to Nil Kamal 15000/- on dated 25 April 2009 'bill no. A50' o Paid Cheque To Rajesh Group of Company RS 7000/- on dated 10th April 2009 'bill no. 112' o Paid Cash To Raghu Group 15000/- on dated 30 April 2009 'Bill no.130' Ledger Accounting Vouchers For Purchase (F9) Name: Purchase Under: Purchase A/C Dr. Cr. DR. Purchase 5000 Name: Ram & Company CR. Ram & Company 5000 Under: Sundry Creditor Ledger Accounting Vouchers For Sales (F8) Name: Sales Under: Sales A/C Dr. Cr. dr. Infotech Co. 5000 Name: INFOTECH cr. sales COMPANY 5000
  • 18. Under: Sundry Debtors Ledger Accounting Vouchers For Capital (F6) Name: Naresh Capital Dr. Cr. Under: Capital A/C Cr. Naresh Capital 100000 Cr. Genesh Capital 100000 Name: Genesh Capital Under: Capital A/C Dr. Cash 20000 Q.7 IBM Company 2 INVENTORY INFO No Stock Items Groups Qty. RATE UNIT AMOUNT
  • 19. 1 Dell mouse MOUSE 25 170 Nos. 4250 2 Microsoft mouse MOUSE 30 130 Nos. 3900 3 Dell monitor MONITOR 5 7000 Nos. 35000 4 Dell Keyboard KEYBOARD 10 150 Nos. 1500 5 LG monitor MONITOR 7 8000 Nos. 56000 6 LG mouse MOUSE 20 155 Nos. 3100 7 LG Keyboard KEYBOARD 15 130 Nos. 1950 8 Microsoft Keyboard KEYBOARD 45 200 Nos. 9000 9 I Ball mouse MOUSE 15 250 Nos. 3750 10 I Ball Keyboard KEYBOARD 20 300 Nos. 6000 11 I Ball monitor MONITOR 35 9000 Nos. 315000 12 CDR Samsung CD 50 8 Nos. 400 13 CDR Moser Baer CD 50 35 Nos. 1750 TOTAL 441600 PURCHASE FROM FOLLOWING (F9) 1. From Ram & Company Bill no: B009 5th May Qty. Stock Items RATE 10 Microsoft mouse 135 5 Microsoft Keyboard 200 5 Microsoft monitor 6000 2. From VIBHOR COMPANY BILL NO-11501 7th MAY
  • 20. Qty. Stock Items RATE 10 LG mouse 155 15 LG Keyboard 130 5 LG monitor 8000 SALES FROM FOLLOWING (F8) 1. Sales to INFOTECH COMPANY Bill no: 116 on 10th May Qty. Stock Items RATE 35 Microsoft mouse 140 5 Microsoft Keyboard 225 5 Microsoft monitor 700 2. Sales To Nilkanth Enterprises Bill no: 117 on 10th May Qty. Stock Items RATE 15 I Ball mouse 300 20 I Ball Keyboard 335 35 I Ball monitor 9500 Receipts Entry (F6)  RECEIVED CASH FROM NILKANTH FULL AMOUNT ON 27TH May FOR AGST REFERNCE Bill NO.117 RS.6000/-
  • 21. Payment Entry (F5)  PAID CASH TO RAM & COMPANY FOR BILLS AMOUNT RS.10000/ ON 28 TH MAY FOR AGST Reference’s NO.009  PAID CHEQ BY BANK TO VIBHOR Company FOR BILLS AMOUNT RS.12000/ AGST REFERNCE BILL no.119 on 29th MAY Q.8 TDS QUESTIONS Q.1 Payable Rs.800000/- to Mr. XYZ on A/C of interest on Securities (New Ref is 552) As interest on Securities (New Ref is 301) Q.2 Payable Rs.73000/- to Mr. Ramlal on A/C of Commission or Brokerage (New Ref is 985) As Commission Or Brokerage (New Ref is 754) Q.3 Payable Rs.65000/- to Mr. Dinesh on A/C of Insurance Commission (New Ref is 696) As Insurance Commission (New Ref is 100) Q.4 Payable Rs.800/- to Mr. Ram on A/C of Commission on Sale Of Lottery Tickets (New Ref is 542) As interest on Securities (New Ref is 650) Q.5 Pay to Rs.785000/- to Mr. Gopal to Fess for Professional (New Ref is 821) As Fess for Professional (New Ref is 051) Q.6 Payable Rs.8000/- to Mr. WATT on A/C of Technical Services (New Ref is 002) As Technical Services (New Ref is 351) Q.7 Payable Rs.75000/- to Mr. Chinmay on for Rent of Building (New Ref is S222) As Rent of Building (New Ref is 991)
  • 22. Q.8 Rs.800000/- wining from Horse Race (New Ref is 1102) As wining from Horse Race (New Ref is 4201) Q.9 Rs.1000/- Winning from Crossword Puzzle (New Ref is 8552) As Winning from Crossword Puzzle (New Ref is 7871) Q.10 Rs.75000/- Payable for Rent on Plant, Machinery & Equipment (New Ref is 5692) As Rent on Plant, Machinery & Equipment (New Ref is 3781) Q.11 Payable Rs.78500/- As Payment For Compensation (New Ref is 7841) Q.12 Payable Rs.20000/- to Mr. Zandu (New Ref is 02) As Payment to Sub-Contractor (New Ref is 31) Q.13 Rs.800000/- Payable TO Payment To Advertisement Contractor (New Ref is 32) As Payment to Contractor (New Ref is 311) Q.14 Rs.44000/- Payments to Non-Resident Sportsmen & Rs.78000 For Sports Association (New Ref is A2) & (New Ref is A52) Q.15 Rs.6500/- to Mr. ABC For Payment in Deposits Under NSS (New Ref is S72) As Payment in Deposits Under NSS (New Ref is 871) Q.16 Rs.200000/- is Income from Foreign Currency Bonds (New Ref is F789) Q.9 SERVICE TAX QUESTIONS 12.5% SERVICE TAX APPLICABLE FOR FEES OF FOLLOWING STUDENTS OF “MAXIMAX COMPUTER CLASSES” SR NO NAME DATE COURSE FEES
  • 23. 1 RAAJKUMAR SHARMA 11-04-2012 MS-CIT 2310 RS/- 2 GANESH DUMPE 29-04-2012 DTP 8000 RS/- 3 SAGAR SHEETY 13-04-2012 C++ 3500 RS/- 4 SURAJ VARMA 02-05-2012 MS-CIT 2310 RS/- 5 DENESH CHOWGULE 05-05-2012 TALLY 3000 RS/- 6 VEKARAM BOGALE 16-04-2012 TALLY 3000 RS/- 7 GOPAL DADE 12-04-2012 MS-CIT 2310 RS/- 8 YURAJ AANAD 19-04-2012 TALLY 3000 RS/- 9 RAJ GANDHI 14-04-2012 DTP 8000 RS/- 10 VIRAJ DESAI 20-04-2012 TALLY 3000 RS/- 11 RAMU DUBE 21-04-2012 TALLY 3000 RS/- 12 ASHOK DINDAYA 22-04-2012 MS-CIT 2310 RS/- 13 SHAMU DUBE 18-04-2012 C++ 3500 RS/- 14 AANADA KUMAR 19-04-2012 TALLY 3000 RS/- 15 AKASHY JEETLI 19-04-2012 MS-CIT 2310 RS/- 16 DAVID HANDE 20-04-2012 DTP 8000 RS/- 17 SAVRAV NAIK 15-04-2012 TALLY 3000 RS/- 18 PRASAD KURJE 14-04-2012 C++ 3500 RS/-
  • 24. 19 ROHIT WAGALE 17-04-2012 DTP 8000 RS/- 20 AMEYA HADE 20-04-2012 MS-CIT 2310 RS/- 21 YOGESH GOSAMI 04-05-2012 C++ 3500 RS/- 22 RAHUL PANCHAL 25-04-2012 TALLY 3000 RS/- 23 SAWPANIL DAVE 05-05-2012 C++ 3500 RS/- 24 PANKAJ BHORI 30-04-2012 MS-CIT 2310 RS/- 25 AAKASH BAWKAR 01-05-2012 DTP 8000 RS/- 26 PRATIK BARJE 13-04-2012 MS-CIT 2310 RS/- 27 ASHWIN TAMBE 03-05-2012 TALLY 3000 RS/- 28 SAMMER PATIL 12-04-2012 C++ 3500 RS/- 29 ROHAN POTDAR 15-04-2012 DTP 8000 RS/- 30 SACHIN DESPANDE 06-05-2012 MS-CIT 2310 RS/-
  • 25. Q.10 M/S GANESH TECHNOLOGY BALANCE SHEET AS ON 31-05-2005 LIABILITIES AMT TOTEL ASSECTS AMT TOTEL CAPITAL ACCOUNT 150000/- FIXED ASSECTS 72000/- GANESH 75000/- OFFICE EQUIPMENT 32000/- SHANKAR 75000/- FURNITURE 40000/- LOAN & LIABILITIES 100000/- INVESTMENT 28000/- CITY BANK 50000/- SHARE IN ICICI 14000/- MOHAN 50000/- SHARE IN HDFC 14000/- CURRENT LIABILITIES 113310/- CURRENT ASSETS 263310/- SUNDRY CREDITOR A 101340/- STOCK 134420/- UNPAID EXPENSES 11970/- SUNDRY DEBTORS C 88850/- CASH IN HAND 8528/- BANK A/C D 31512/- UNPAID EXPENSES BANK ACCOUNTS TELEPHONE EXPENSES 8370.00 STATE BANK OF INDIA 9828.00 ELECTRICITY EXPENSES 3600.00 11970.00 ICICI BANK 21684.00 31512.00
  • 26.
  • 27. Opening Stock Stock Items Qty. Rate Amount Total Floppy Disk 15123 Sony 1.44 MB 15 210 3150 Sony 1.2 MB 8 185 1480 Maxcell 1.44 MB 14 212 2968 Maxcell 1.2 MB 6 191 1146 Verbatim 1.44 MB 18 215 3870 Verbatim 1.2 MB 13 193 2509 Mouse 14950 Logitech 20 590 11800 Genius 15 210 3150 Monitor 54182 Microtech 4 9025 36100 Samtron 1 8982 8982 L.G 1 9100 9100 Keyboard 9525 Chiconi 15 635 9525 CPU 154500 Pentium 3 2 3500 7000 Pentium 4 3 4500 13500 Intel Core 2 Due 5 5500 27500 Intel i3 7 6500 45500 Intel i5 6 7500 45000 Intel i7 2 8000 16000 Compact Disc (CD) 5830 Sony Writable 100 15 1500 Sony Re-Writable 50 50 2500
  • 28. HP Re-Writable 15 72 1080 Mosabear 75 10 750 Enter the Following Purchase Transition into M/s Ganesh & Technology Date Particular 02-Dec-05 Purchase 20 Boxes of 1.44 MB Sony floppy @ RS.215 each from Navjot Enterprises Vide Bill No. 4304 amounting RS.4300/- 02-Dec-05 Purchase 3 CPU of Pentium 4 @ RS.4700 each from M/s Jadeja & company Vide Bill No.24920 amounting RS.14100/- 03-Dec-05 50 CD's OF HP Writable Purchased form M/S Nayab Trade Links @ RS.10/- Each As Bill No. 18719 RS.500/- 03-Dec-05 Purchase From Azhar Softech Pvt. Ltd. As Per Bill No.13628 Amounting TO RS.5340/- the item Included were 15 BOX OF Maxcell 1.44 MB Floppy @ RS.212/- boxes of Verbatim 1.44 floppy RS.216/- per box. Enter the Following Sales Transition into M/s Ganesh & Technology Date Bill Party Name Item Qty. Rate Amt. No 02-Dec-05 1101 Khanna Brothers Logitech Mouse 15 650 9750 02-Dec-05 1102 Kapoor Tech Pvt. Sony 1.44 MB Floppy 10 240 2400 Ltd. Sony 1.2 MB Floppy 5 210 1050 Verbatim 1.44 MB 15 250 3750 Floppy Verbatim 1.2 MB 5 215 1075 Floppy
  • 29. 02-Dec-05 1103 Dev Enterprises Microtech Monitor 2 10900 21800 03-Dec-05 1104 Shahrukh Impex Pentium 3 2 4000 8000 Intel i5 2 8000 16000 Enter the Following Receipt Transition into M/s Ganesh & Technology Date Particulars 04-12-2005 Received Cash RS.13210/- From Dev Enterprises Against Bill No 1124 04-12-2005 Received a cheque From Amitabh Corporation Against Bill No 1020,1029,1068 the Same Deposited into Bank 05-12-2005 Deposited into State Bank of India a cheque Of RS.20000/- Received From Khanna Brothers On Account 1048,1064 And Balance Amount Is Discount Received 05-12-2005 Received cash From Kapoor Tech Pvt. Ltd. RS.8275/- Against Bill No 1102 of 02/12/2005 Enter the Following Payment Transition into M/s Ganesh & Technology Date Particulars 04-12-2005 Issued cheque No.24/2218 of RS. 19242/- from ICICI Bank is favor of M/S Sachin Traders Against Bill no 1398,1421,1434,&1636 04-12-2005 Paid Cash RS.257/- To Suresh Tea & Snacks For Staff 05-12-2006 Paid Cash RS.15000/- to Ganguly Technology is Settlements of their Account 05-12-2007 Issued Cheque.2412219 of Rs.20000/- from ICICI Bank in Favor of M/S Kumble Trader Advance Of 10 Monitors Enter the Following Contra Transition Date Particulars 04-12-2005 Deposited Cash RS.5000/- into State Bank of India 04-12-2005 Withdraw Cash Rs.1000/- From ICICI Bank
  • 30. 05-12-2005 Transferred a sum Of RS.30000/- from State Bank of India To ICICI Bank Cheque No. 382101 Enter the Following Transition Date Particulars 29-12-2005 Credit Note No.001 Amounting to RS.480/- issued for 2 Sony 1.44 MB Floppy Boxes Returned by Kapoor Techno Ltd Sold 2 RS.240/- cash Vide Sales Bill 1102 29-12-2005 Debit Note NO. 01/2005 Amounting To RS 430/- issued for return of Boxes of 1.44 MB Sony Floppy Boxes To Navjot Enterprises Which Was Purchased @ RS.215/- per box as per their Bill no 4121 on 2nd Dec 2004 29-12-2005 Commission note no 109 issued by M/S Karan Enterprises for RS.1250/- accepted by Us. He Will Pay After 15 days